info website equity

NAV

NAV 16-04-2025
Value
Equity Fund
1.230,7966
Managed Fund
2.722,7293
Safe Link Plus
Stable Link
7.654,2434
Steady Fund
5.133,8876
Steady Fund USD
0,209773
Balanced Fund
1.474,0239
NAV 15-04-2025
Value
Equity Fund
1.240,7453
Managed Fund
2.731,0690
Safe Link Plus
Stable Link
7.653,0364
Steady Fund
5.126,4135
Steady Fund USD
0,209664
Balanced Fund
1.478,3232
NAV 14-04-2025
Value
Equity Fund
1.234,2235
Managed Fund
2.722,7019
Safe Link Plus
Stable Link
7.651,9009
Steady Fund
5.120,2886
Steady Fund USD
0,210311
Balanced Fund
1.474,0880